HoldingsChannel.com
Ensign Peak Advisors Inc Top Holdings
As of  12/31/2019

   EntityAmountChange
 09/30/2019 to 12/31/2019
Position Size
($ in 1000's)
Apple Inc 5,361,819 +5,361,819 $1,574,498
     AAPL5,361,819+5,361,819$1,574,498
Microsoft Corp 9,487,124 +9,487,124 $1,496,120
     MSFT9,487,124+9,487,124$1,496,120
Google Inc 694,363 +694,363 $930,020
     GOOGL694,363+694,363$930,020
Amazon.com Inc 462,992 +462,992 $855,534
     AMZN462,992+462,992$855,534
Johnson & Johnson 4,428,089 +4,428,089 $645,924
     JNJ4,428,089+4,428,089$645,924
Intel Corp 10,096,630 +10,096,630 $604,282
     INTC10,096,630+10,096,630$604,282
Facebook Inc 2,620,718 +2,620,718 $537,903
     FB2,620,718+2,620,718$537,903
Visa Inc 2,834,759 +2,834,759 $532,653
     V2,834,759+2,834,759$532,653
JPMorgan Chase & Co 3,486,491 +3,486,491 $486,018
     JPM3,486,491+3,486,491$486,018
UnitedHealth Group Inc 1,603,976 +1,603,976 $471,534
     UNH1,603,976+1,603,976$471,534
Merck & Co Inc 4,606,512 +4,606,512 $418,963
     MRK4,606,512+4,606,512$418,963
Berkshire Hathaway Inc      $418,386
     BRK.B1,847,181+1,847,181$418,386
Walt Disney Co The 2,655,167 +2,655,167 $384,017
     DIS2,655,167+2,655,167$384,017
Chevron Corp 3,163,732 +3,163,732 $381,260
     CVX3,163,732+3,163,732$381,260
Home Depot Inc The 1,694,180 +1,694,180 $369,978
     HD1,694,180+1,694,180$369,978
Stryker Corp 1,661,046 +1,661,046 $348,720
     SYK1,661,046+1,661,046$348,720
Thermo Fisher Scientific Inc 1,058,143 +1,058,143 $343,760
     TMO1,058,143+1,058,143$343,760
Abbott Laboratories 3,865,373 +3,865,373 $335,744
     ABT3,865,373+3,865,373$335,744
Danaher Corp 2,120,306 +2,120,306 $325,424
     DHR2,120,306+2,120,306$325,424
O Reilly Automotive Inc 740,923 +740,923 $324,716
     ORLY740,923+740,923$324,716
Mastercard Inc 1,076,374 +1,076,374 $321,394
     MA1,076,374+1,076,374$321,394
Bank of America Corp 8,740,857 +8,740,857 $307,855
     BAC8,740,857+8,740,857$307,855
Enterprise Products Partners LP 10,857,048 +10,857,048 $305,734
     EPD10,857,048+10,857,048$305,734
Union Pacific Corp 1,680,290 +1,680,290 $303,780
     UNP1,680,290+1,680,290$303,780
Adobe Systems Inc 896,068 +896,068 $295,533
     ADBE896,068+896,068$295,533
iShares Core MSCI Emerging Markets ETF (IEMG) 5,413,214 +5,413,214 $291,015
     IEMG5,413,214+5,413,214$291,015
Exxon Mobil Corp 4,167,967 +4,167,967 $290,841
     XOM4,167,967+4,167,967$290,841
TJX Cos Inc 4,755,790 +4,755,790 $290,390
     TJX4,755,790+4,755,790$290,390
Fastenal Co 7,781,471 +7,781,471 $287,527
     FAST7,781,471+7,781,471$287,527
Air Products & Chemicals Inc 1,187,071 +1,187,071 $278,951
     APD1,187,071+1,187,071$278,951
iShares Core S&P 500 ETF (IVV) 856,748 +856,748 $276,936
     IVV856,748+856,748$276,936
First Republic Bank CA 2,351,775 +2,351,775 $276,216
     FRC2,351,775+2,351,775$276,216
Wells Fargo & Co 5,123,788 +5,123,788 $275,660
     WFC5,123,788+5,123,788$275,660
CME Group Inc IL 1,341,758 +1,341,758 $269,317
     CME1,341,758+1,341,758$269,317
NextEra Energy Inc 1,112,148 +1,112,148 $269,317
     NEE1,112,148+1,112,148$269,317
Halfmoon Parent Inc 1,313,686 +1,313,686 $268,635
     CI1,313,686+1,313,686$268,635
Applied Materials Inc 4,326,316 +4,326,316 $264,078
     AMAT4,326,316+4,326,316$264,078
Wal Mart Stores Inc 2,196,180 +2,196,180 $260,994
     WMT2,196,180+2,196,180$260,994
American Tower Corp 1,124,948 +1,124,948 $258,537
     AMT1,124,948+1,124,948$258,537
Citigroup Inc 3,061,305 +3,061,305 $244,567
     C3,061,305+3,061,305$244,567
IntercontinentalExchange Inc (ICE) 2,586,075 +2,586,075 $239,340
     ICE2,586,075+2,586,075$239,340
Marriott International Inc DE 1,579,615 +1,579,615 $239,201
     MAR1,579,615+1,579,615$239,201
Boeing Co The 709,487 +709,487 $231,123
     BA709,487+709,487$231,123
NIKE Inc 2,245,458 +2,245,458 $227,488
     NKE2,245,458+2,245,458$227,488
US Bancorp MN 3,608,699 +3,608,699 $213,961
     USB3,608,699+3,608,699$213,961
Exact Sciences Corp 2,247,662 +2,247,662 $207,864
     EXAS2,247,662+2,247,662$207,864
Fortive Corp 2,719,975 +2,719,975 $207,779
     FTV2,719,975+2,719,975$207,779
Knight Swift Transportation Holdings Inc 5,732,065 +5,732,065 $205,436
     KNX5,732,065+5,732,065$205,436
Prologis Inc 2,245,264 +2,245,264 $200,143
     PLD2,245,264+2,245,264$200,143
Illinois Tool Works Inc 1,062,875 +1,062,875 $190,926
     ITW1,062,875+1,062,875$190,926

See Full List: All Stocks Held By Ensign Peak Advisors Inc
— Including:
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     • Biggest exits

See Details: Top 10 Stocks Held By Ensign Peak Advisors Inc

Size ($ in 1000's)
At 12/31/2019: $37,857,975
At 09/30/2019: $0

Ensign Peak Advisors Inc holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Ensign Peak Advisors Inc 13F filings. Link to 13F filings: SEC filings

Ensign Peak Advisors Inc Top Holdings 13F Filings | www.HoldingsChannel.com

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